Research classified by Journal of Economic Literature (JEL) codes
Top JEL
/ G: Financial Economics
/ / G3: Corporate Finance and Governance
/ / / G32: Financing Policy; Financial Risk and Risk Management; Capital and Ownership Structure; Value of Firms; Goodwill
- T.T. Yen Le, 2016, "Modelling in Metal Risk Assessment," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62911.
- Sabry Attia & Gamaleldin Harisa & M. Abd Allah Gamil, 2016, "Risks of Environmental Genotoxicants," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62454.
- Pinar Erkekoglu & Belma Kocer-Gumusel, 2016, "Environmental Effects of Endocrine-Disrupting Chemicals: A Special Focus on Phthalates and Bisphenol A," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62455.
- Poondy Gopalratnam Raman, 2016, "Environmental Factors in Causation of Diabetes Mellitus," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62543.
- Radim Vacha & Milan Sanka & Jan Skala, 2016, "Soil Contamination Health Risks in Czech Proposal of Soil Protection Legislation," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62456.
- Dilek Akyil & Arzu Ozkara & Muhsin Konuk, 2016, "Pesticides, Environmental Pollution, and Health," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/63094.
- Juana Sanchez-Alarcon & Mirta Milic & Sandra Gomez-Arroyo & J Mariano R Montiel-Gonzalez & Rafael Valencia-Quintana, 2016, "Assessment of DNA Damage by Comet Assay in Buccal Epithelial Cells: Problems, Achievement, Perspectives," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62760.
- Takemi Otsuki & Hiroaki Hayashi & Kei Yoshitome & Tamayo Hatayama & Shoko Yamamoto & Naoko Kumagai-Takei & Suni Lee & Hidenori Matsuzaki & Megumi Maeda & Yasumitsu Nishimura, 2016, "Immunological Risks Caused by Fibrous and Particulate Substances," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62749.
- Leobardo Manuel Gomez-Olivan & Armando Elizalde-Velazquez & Marcela Galar-Martinez & Hariz Islas-Flores & Octavio Dublan Garcia & Nely SanJuan-Reyes, 2016, "Amoxicillin in the Aquatic Environment, Its Fate and Environmental Risk," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62049.
- Juliana Da Silva & Grethel Leon-Mejia & Milton Quintana & Katia Kvitko & Paula Rohr & Jose Antonio Pegas Henriques, 2016, "Occupational Exposure to Coal, Genotoxicity, and Cancer Risk," Chapters, IntechOpen, in: Marcelo L. Larramendy & Sonia Soloneski, "Environmental Health Risk - Hazardous Factors to Living Species", DOI: 10.5772/62486.
- Adam Kapor & Mohit Karnani & Christopher Neilson, 2019, "Negative Externalities of Off Platform Options and the Efficiency of Centralized Assignment Mechanisms," Working Papers, Princeton University, Department of Economics, Industrial Relations Section., number 635, Dec.
- Cesar Tamayo, 2017, "Bankruptcy Choice with Endogenous Financial Constraints," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 26, pages 225-242, October, DOI: 10.1016/j.red.2017.06.004.
- In Hwan Jo & Tatsuro Senga, 2019, "Aggregate Consequences of Credit Subsidy Policies: Firm Dynamics and Misallocation," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 32, pages 68-93, April, DOI: 10.1016/j.red.2019.01.002.
- Joachim Jungherr & Immo Schott, 2021, "Optimal Debt Maturity and Firm Investment," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 42, pages 110-132, October, DOI: 10.1016/j.red.2020.10.005.
- Rhys Bidder & John Krainer & Adam Shapiro, 2021, "De-leveraging or de-risking? How banks cope with loss," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 39, pages 100-127, January, DOI: 10.1016/j.red.2020.06.014.
- Marios Karabarbounis & Patrick Macnamara, 2021, "Misallocation and Financial Frictions: the Role of Long-Term Financing," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 40, pages 44-63, April, DOI: 10.1016/j.red.2020.09.002.
- Paul Luk & Tianxiao Zheng, 2022, "Dynamics of Secured and Unsecured Debt Over the Business Cycle," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 44, pages 284-314, April, DOI: 10.1016/j.red.2021.01.004.
- Xiaodan Gao & Jake Zhao, 2022, "R&D Dynamics and Corporate Cash Saving," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 43, pages 263-285, January, DOI: 10.1016/j.red.2021.02.008.
- Satyajit Chatterjee & Burcu Eyigungor, 2023, "The Firm Size-Leverage Relationship and Its Implications for Entry and Business Concentration," Review of Economic Dynamics, Elsevier for the Society for Economic Dynamics, volume 48, pages 132-157, April, DOI: 10.1016/j.red.2022.04.002.
- Mirdala, Rajmund, 2016, "Interest rates and structural shocks in European transition economies," Business and Economic Horizons (BEH), Prague Development Center (PRADEC), volume 10, issue 4, pages 1-15, October, DOI: 10.22004/ag.econ.246042.
- Biondi Yuri, 2012, "What Do Shareholders Do? Accounting, Ownership and the Theory of the Firm: Implications for Corporate Governance and Reporting," Accounting, Economics, and Law: A Convivium, De Gruyter, volume 2, issue 2, pages 1-29, June, DOI: 10.1515/2152-2820.1068.
- Tarzijan Jorge Antonio, 2007, "Capital Structure and Entry Deterrence with Multiple Incumbents," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 7, issue 1, pages 1-18, May, DOI: 10.2202/1935-1682.1590.
- Weiss Andrew & Nikitin Georgiy A, 2004, "Foreign Portfolio Investment Improves Performance: Evidence from the Czech Republic," The B.E. Journal of Economic Analysis & Policy, De Gruyter, volume 4, issue 1, pages 1-49, June, DOI: 10.2202/1538-0653.1205.
- San Vicente Portes Luis & Ozenbas Deniz, 2009, "On Balance Sheets, Idiosyncratic Risk and Aggregate Volatility," The B.E. Journal of Macroeconomics, De Gruyter, volume 9, issue 1, pages 1-27, February, DOI: 10.2202/1935-1690.1622.
- Cadenillas Abel & Clark Steven P, 2007, "Free Cash Flow and Managerial Entrenchment: A Continuous-Time Stochastic Control-Theoretic Model," The B.E. Journal of Theoretical Economics, De Gruyter, volume 7, issue 1, pages 1-34, September, DOI: 10.2202/1935-1704.1264.
- Che Yeon-Koo, 2002, "Joint Liability and Peer Monitoring under Group Lending," The B.E. Journal of Theoretical Economics, De Gruyter, volume 2, issue 1, pages 1-28, July, DOI: 10.2202/1534-5971.1016.
- Faure-Grimaud Antoine & Laffont Jean-Jacques & Martimort David, 2003, "Risk Averse Supervisors and the Efficiency of Collusion," The B.E. Journal of Theoretical Economics, De Gruyter, volume 2, issue 1, pages 1-32, January, DOI: 10.2202/1534-5971.1055.
- Lensink Robert & Pham Thi Thu Tra, 2006, "On the Signalling Role of Debt Maturity," The B.E. Journal of Theoretical Economics, De Gruyter, volume 6, issue 1, pages 1-32, December, DOI: 10.2202/1534-598X.1286.
- Engelen Peter-Jan & van Essen Marc, 2008, "Underpricing of IPOs and Legal Frameworks Around the World," Review of Law & Economics, De Gruyter, volume 4, issue 1, pages 419-441, December, DOI: 10.2202/1555-5879.1238.
- Falk Bräuning & J. Christina Wang, 2020, "The Great Leverage 2.0? A Tale of Different Indicators of Corporate Leverage," Current Policy Perspectives, Federal Reserve Bank of Boston, number 87795, Apr.
- Nicola Branzoli & Fulvia Fringuellotti, 2020, "The Effect of Bank Monitoring on Loan Repayment," Staff Reports, Federal Reserve Bank of New York, number 923, May.
- Dennis Glennon & Nicholas M. Kiefer & C. Erik Larson & Hwan-sik Choi, None, "Development and validation of credit scoring models," Journal of Credit Risk, Journal of Credit Risk.
- Stein-Erik Fleten & Espen Bråthen & Sigurd-Erik Nissen-Meyer, None, "Evaluation of static hedging strategies for hydropower producers in the Nordic market," Journal of Energy Markets, Journal of Energy Markets.
- Chia-Lin Chang & Michael McAleer & Roengchai Tansuchat, None, "Modeling conditional correlations for risk diversification in crude oil markets," Journal of Energy Markets, Journal of Energy Markets.
- Marco Migueis, None, "Forward-looking and incentive-compatible operational risk capital framework," Journal of Operational Risk, Journal of Operational Risk.
- Filippo Curti & Marco Migueis & Robert Stewart, None, "Benchmarking operational risk stress testing models," Journal of Operational Risk, Journal of Operational Risk.
- Filippo Curti & Marco Migueis, None, "The information value of past losses in operational risk," Journal of Operational Risk, Journal of Operational Risk.
- Sebastian Letmathe & Yuanhua Feng & André Uhde, None, "Semiparametric GARCH models with long memory applied to value-at-risk and expected shortfall," Journal of Risk, Journal of Risk.
- Philipp Sibbertsen & Gerhard Stahl & Corinna Luedtke, None, "Measuring model risk," Journal of Risk Model Validation, Journal of Risk Model Validation.
- Mateusz Buczyński & Marcin Chlebus, None, "Old-fashioned parametric models are still the best: a comparison of value-at-risk approaches in several volatility states," Journal of Risk Model Validation, Journal of Risk Model Validation.
- Robert T. Cox & Robert S. Steigerwald, None, "A CCP is a CCP is a CCP," Journal of Financial Market Infrastructures, Journal of Financial Market Infrastructures.
- Victor Olkhov, None, "The econophysics of asset prices, returns and multiple expectations," Journal of Network Theory in Finance, Journal of Network Theory in Finance.
- Neshitoy Anatoly Semenovich, 2008, "Финансово-Кредитная Политика России На Современном Этапе: Императивы Перемен
[The financial and credit policy in Russia at present is: the imperatives of change]," Working papers, Institute of Economics, number a:pne197:n:4, Dec. - J.E.O. Renaud, 2004, "The Determination of Optimal Value of the Firm in the Short and Long Run by Fine Tuning the Debt Ratio and Payout Ratio under the New Dutch Income Tax Code," Working Papers, Utrecht School of Economics, number 04-07, Jan.
- J. Gorter & J.A. Bikker, 2011, "Investment risk taking by institutional investors," Working Papers, Utrecht School of Economics, number 11-11.
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